Top structured products
| Name Prefix | Suffix |
CCY | ISIN Valor number |
Bid Bid Size |
Ask Ask Size |
Maturity Date | Last Date/Time |
Day Change % Day Change |
Previous Month $ Turnover |
|---|---|---|---|---|---|---|---|---|
|
EUR | FR0012799211
|
EUR |
FR0012799211
28570365
|
-
-
|
-
-
|
12/29/2025 |
135.74
12/04/2025
|
+0.10%
+0.13
|
1.377 M |
|
CHF | CH1399955983
|
CHF |
CH1399955983
139995598
|
99.76
87,000
|
99.98
150,000
|
12/30/2026 |
99.85
12/02/2025
|
+0.13%
+0.13
|
266,958 |
|
GBP | CH1399944441
|
GBP |
CH1399944441
139994444
|
104.27
250,000
|
105.11
250,000
|
02/05/2030 |
100.24
05/30/2025
|
+0.90%
+0.89
|
335,058 |
|
CHF | CH1453383684
|
CHF |
CH1453383684
145338368
|
98.13
250,000
|
98.93
250,000
|
11/08/2027 |
99.12
12/02/2025
|
+0.32%
+0.32
|
313,359 |
|
EUR | NLBNPIT2OQL3
|
EUR |
NLBNPIT2OQL3
146644826
|
98.09
1,000
|
99.09
1,000
|
07/19/2027 |
98.59
12/05/2025
|
-0.01%
-0.01
|
4,562 |
Market Overview
| Last | 8,114.74 |
|---|---|
| Day Change | -7.29 |
| Day Change % | -0.09% |
| Bid | - |
| Ask | - |
| YTD % Change | +9.94% |
| Exchange | ENIN |
Master data overview
| CCY | EUR |
|---|---|
| Shares outstanding | - |
| Sector | - |
| Share type | - |
Eusipa Categories
Yield Enhancement
Participation
| Title | Number |
|---|---|
| Bonus Certificate (1320) | 43 |
| Tracker Certificate (1300) | 4 |
Leverage without Knock-Out
| Title | Number |
|---|---|
| Warrant (2100) | 2,577 |
| Spread Warrant (2110) | 373 |
Leverage with Knock-Out
| Title | Number |
|---|---|
| Open-End Knock-Out Warrant (2205) | 3,690 |
| Mini-Future (2210) | 1,697 |
| Warrant Knock-Out (2200) | 333 |